NOV Inc. - COMMON STOCK (NOV)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COMMON STOCK
Shares, excl. options Q3 2024
140K
Holdings value Q3 2024
$2.24M
Value change Q3 2024
+$2.24M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
2
Number of buys Q3 2024
1
Number of sells Q3 2024
0
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
0
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 140K $2.24M +$2.24M $14.99 2
2024 Q2 1 $14.00 $0 $14.00 1
2024 Q1 1 $14.00 $0 $14.00 1
2023 Q4 1 $14.00 $0 $14.00 1
2023 Q3 1 $14.00 $0 $14.00 1
2023 Q2 1 $14.00 $0 $14.00 1
2023 Q1 1 $14.00 $0 $14.00 1
2022 Q4 1 $14.00 +$14.00 $14.00 1
2022 Q3 0 $0 -$123M 0
2022 Q2 7.25M $123M -$2.56M $18.46 2
2022 Q1 7.4M $151M +$3.94M $20.18 2
2021 Q4 7.21M $97.7M -$10.3M $16.78 2
2021 Q3 7.97M $104M -$2.07M $13.11 4
2021 Q2 8.11M $124M -$9.94M $15.32 5
2021 Q1 8.89M $121M -$4.2B $13.64 29
2020 Q4 315M $4.33B -$484M $13.73 278
2020 Q3 368M $3.34B -$102M $9.06 391
2020 Q2 369M $4.52B -$54.3M $12.25 395
2020 Q1 374M $3.68B +$1.33M $9.83 400
2019 Q4 366M $9.17B -$87.9M $25.05 490
2019 Q3 370M $7.86B +$67.5M $21.20 469
2019 Q2 367M $8.15B +$117M $22.23 475
2019 Q1 361M $9.62B +$82.4M $26.64 529
2018 Q4 357M $9.18B -$79.5M $25.70 528
2018 Q3 357M $15.4B -$507M $43.08 607
2018 Q2 369M $16B +$341M $43.40 575
2018 Q1 361M $13.3B +$64.4M $36.81 571
2017 Q4 359M $12.9B +$8.49M $36.02 564
2017 Q3 352M $12.6B +$256M $35.73 540
2017 Q2 346M $11.4B -$186M $32.94 559
2017 Q1 350M $14B +$1.09B $40.09 625
2016 Q4 350M $13.1B -$398M $37.44 632
2016 Q3 360M $13.2B -$109M $36.74 623
2016 Q2 364M $12.2B -$136M $33.65 631
2016 Q1 368M $11.5B +$147M $31.10 635
2015 Q4 354M $11.9B +$125M $33.49 665
2015 Q3 353M $13.3B +$6.3M $37.65 716
2015 Q2 352M $17B -$602M $48.28 774
2015 Q1 361M $18B -$978M $49.99 812
2014 Q4 374M $24.5B -$563M $65.53 926
2014 Q3 377M $28.7B -$366M $76.10 935
2014 Q2 382M $31.5B +$743M $82.35 937
2014 Q1 373M $29B +$919M $77.87 922